Analyzing data for reports. Processing asset ledger entries. Performing bank reconciliations. Completing FIC
payable and receivable, payroll and daily financial entries and reconciliations.
Assist in the
Sage Assist with administrative tasks such as data entry, filing, and maintaining spreadsheets in Excel Communicate
accounts and preparation of adjusting journal entries.
accounts and preparation of adjusting journal entries. Collaborate with cross-functional teams to gather interpersonal abilities Detail-oriented with a high level of accuracy Market related - Market related - Monthly
accounts and preparation of adjusting journal entries. Collaborate with cross-functional teams to gather interpersonal abilities Detail-oriented with a high level of accuracy Market related - Market related - Monthly
client services, cashiering, insurance, result entry, etc)to ensure the smooth operation of various sites utilisation of resources, optimisation of stock levels, cost reduction and availability of required stock
join us and create wealth together. 1. Journal Entries 2. GL Management 3. Ensure data accuracy 4. CASH
join us and create wealth together. 1. Journal Entries 2. GL Management 3. Ensure data accuracy 4. CASH
financial transaction records, including journal entries, ledgers, and financial database Qualifications: